Gregory v. Hawkins

468 S.E.2d 891, 251 Va. 471, 1996 Va. LEXIS 55
CourtSupreme Court of Virginia
DecidedApril 19, 1996
DocketRecord 951272
StatusPublished
Cited by13 cases

This text of 468 S.E.2d 891 (Gregory v. Hawkins) is published on Counsel Stack Legal Research, covering Supreme Court of Virginia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Gregory v. Hawkins, 468 S.E.2d 891, 251 Va. 471, 1996 Va. LEXIS 55 (Va. 1996).

Opinion

JUSTICE KOONTZ

delivered the opinion of the Court.

In this appeal of a judgment for attorney malpractice, the dis-positive issue is whether the client proved that the attorney’s conduct was a proximate cause of the client’s loss. The issue arises *473 from the following pertinent facts which are recited in the light most favorable to the client, the prevailing party at trial.

Mildred M. Hawkins (Hawkins) was the owner of a motel in New Kent County. In December 1984, Hawkins secured a contract to sell the business and its attendant property to Wesley and Norma Wilson (the Wilsons). After the contract was negotiated and signed, Hawkins retained C. Linwood Gregory (Gregory), an attorney, to advise and assist her in concluding the sale.

On February 20, 1985, the Wilsons indicated that they intended to default on the contract unless Hawkins agreed to a revision of its terms. They alleged that Hawkins had misrepresented the financial and physical condition of the business. Gregory advised Hawkins of the terms of a proposed addendum to the contract, which reduced the selling price and interest rate provided for in the original agreement. On the basis of Gregory’s advice, Hawkins agreed to the reductions.

On February 21, 1985, Gregory prepared and presented to Hawkins an indemnity agreement related to the sale of the business. The agreement provided that for a period of five years after the sale Hawkins would “hold harmless the Wilsons from and against any and all cost, expense, liability, damage or other deficiency resulting from any misrepresentations by [Hawkins].” Gregory testified that it was his custom to have such agreements available “in other closings of this nature.” There was no indication that the Wilsons ever requested such an agreement. However, Gregory mailed the agreement to the Wilsons.

Hawkins testified that she questioned Gregory about the indemnity agreement when he presented it to her. She testified that Gregory indicated it was not a part of the contract and that it just made her responsible for any “operational debts” she might have. She further testified that Gregory told her he had forgotten to have her sign the agreement earlier and that he only wanted to put it in his file in case he ever needed it.

The Wilsons subsequently sued Hawkins (the Wilson suit), alleging that she had misrepresented the condition of the business and its attendant property. The Wilsons alleged alternative theories of liability, relying both upon fraud and the indemnity agreement. Judgment was ultimately rendered for Hawkins on the ground that the statute of limitations had run on the claim of fraud and that the indemnity agreement did not provide for a recovery for innocent misstatements of fact under a theory of con *474 structive fraud, but only for actual fraud, which was not supported by the evidence. Hawkins testified that she expended over $18,000 defending the Wilson suit, but presented no expert or other evidence relating the costs incurred as to each of the individual theories of liability.

On March 31, 1994, Hawkins instituted the present action against Gregory by a two-count motion for judgment. Hawkins alleged in her first count that Gregory had committed legal malpractice in advising her to sign the addendum to the contract. In the second count, styled as “Fraud and Misrepresentation,” Hawkins detailed the circumstances surrounding the signing of the indemnity agreement, alleging that “Gregory intentionally misrepresented an existing material fact, to wit, that the document which he asked plaintiff to sign was in fact an indemnity agreement . . . .”

At the conclusion of Hawkins’ case-in-chief in a bench trial, Gregory moved to strike the evidence on various grounds, including Hawkins’s failure to present expert testimony on the standard of care owed by an attorney under the facts presented and the failure to present evidence that the breach of that standard proximately caused the damages for which recovery was sought. After hearing argument on the motion, the trial judge ruled: “I’m going to strike the evidence as to the malpractice charge and fraud charge. . . . [Ejxclusive, however, of the indemnity situation.”

Gregory then proceeded with his case, presenting expert testimony that his actions conformed to the applicable standard of care in reviewing and advising Hawkins concerning the indemnity agreement. The expert further testified that it was “within the standard of care to also offer a business recommendation for purposes of making the deal work.”

In rendering judgment for Hawkins, some confusion arose over the basis of the trial court’s prior ruling on the motion to strike and the basis for its final judgment. Consistent with their differing views, counsel for both parties prepared draft judgment orders at the direction of the trial court. At the hearing on the proposed orders, the trial court stated that the pleading of the second count, however nominated, alleged “that [Gregory’s] conduct was misconduct in the strongest sense of that term . . . .” In ruling that expert testimony was not required to establish Gregory’s duty of care, the trial court stated that “it’s so self-evident that it doesn’t need a qualification by a standard. In other words, misconduct is *475 misconduct here or wherever insofar as professionalism is concerned.”

In the final order entered April 12, 1995, the trial court “entered judgment against [Gregory] with respect to the allegations of misrepresentation set forth in Count II and awarded [Hawkins] compensatory damages in the amount of $9,100.00 for attorney’s fees and $1,275.00 in costs expended in the defense of [the Wilson suit] filed against plaintiff based on an indemnity agreement alleged in Count II of the motion for judgment.” We awarded Gregory this appeal. *

To sustain her claim for legal malpractice, Hawkins was required to plead and prove that an attorney-client relationship existed between her and Gregory which gave rise to a duty, that Gregory neglected or breached that duty, and that the neglect or breach was a proximate cause of her claimed damages. Allied Productions v. Duesterdick, 217 Va. 763, 764-65, 232 S.E.2d 774, 775 (1977). Each of these elements is necessary to establish a prima facie case of legal malpractice, a mere allegation of negligence or breach of a duty being insufficient to support an action for legal malpractice. Campbell v. Bettius, 244 Va. 347, 352, 421 S.E.2d 433, 436 (1992)(“the client must prove that the attorney’s negligence proximately caused the damages claimed”); Duvall, Blackburn, Hale & Downey v. Siddiqui, 243 Va. 494, 497, 416 S.E.2d 448, 450 (1992)(client must show “damages claimed were proximately caused by the attorney’s negligence”).

We will assume, without deciding, that expert testimony was not required to establish the existence of the duty and the breach. Compare Seaward International, Inc. v.

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Bluebook (online)
468 S.E.2d 891, 251 Va. 471, 1996 Va. LEXIS 55, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gregory-v-hawkins-va-1996.